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Citigroup | 424B2: Prospectus

Citigroup | 424B2: Prospectus

花旗集團 | 424B2:募資說明書
美股SEC公告 ·  11/08 23:45

牛牛AI助理已提取核心訊息

Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, which are callable fixed rate notes due on November 29, 2039. The notes, with a stated principal amount of $1,000 each, will pay interest semi-annually at an annual rate of 5.30%. The notes are unsecured senior debt obligations, subject to Citigroup's credit risk, and are not bank deposits or insured by any governmental agency. The pricing date for the notes is set for November 25, 2024, with an original issue date of November 29, 2024. Citigroup retains the right to call the notes for mandatory redemption on specified redemption dates beginning November 29, 2027. The notes will not be listed on any securities exchange, and Citigroup Global Markets Inc., an affiliate of the issuer, will act as the underwriter. Investors are advised to consider the risks detailed in the accompanying prospectus supplement and prospectus, including the potential for redemption prior to maturity, market interest rate fluctuations, and credit risk associated with Citigroup Inc.
Citigroup Inc. has announced the issuance of Medium-Term Senior Notes, Series G, which are callable fixed rate notes due on November 29, 2039. The notes, with a stated principal amount of $1,000 each, will pay interest semi-annually at an annual rate of 5.30%. The notes are unsecured senior debt obligations, subject to Citigroup's credit risk, and are not bank deposits or insured by any governmental agency. The pricing date for the notes is set for November 25, 2024, with an original issue date of November 29, 2024. Citigroup retains the right to call the notes for mandatory redemption on specified redemption dates beginning November 29, 2027. The notes will not be listed on any securities exchange, and Citigroup Global Markets Inc., an affiliate of the issuer, will act as the underwriter. Investors are advised to consider the risks detailed in the accompanying prospectus supplement and prospectus, including the potential for redemption prior to maturity, market interest rate fluctuations, and credit risk associated with Citigroup Inc.
花旗集團宣佈發行中期優先票據G系列,這些票據是可贖回的固定利率票據,到期日爲2039年11月29日。每張票據的面值爲1000美元,將以每年5.30%的年利率半年付息。票據是無抵押的優先債務,受花旗集團信用風險的影響,不屬於銀行存款,也未獲得任何政府機構的保險。票據的定價日期定於2024年11月25日,原始發行日期爲2024年11月29日。花旗集團保留在指定贖回日期開始於2027年11月29日強制贖回票據的權利。票據將不會在任何證券交易所上市,發行人的附屬機構花旗環球市場將擔任承銷商。建議投資者仔細考慮伴隨的招股說明書和招股書中詳細描述的風險,包括可能提前贖回的風險,市場利率波動以及與花旗集團有關的信用風險。
花旗集團宣佈發行中期優先票據G系列,這些票據是可贖回的固定利率票據,到期日爲2039年11月29日。每張票據的面值爲1000美元,將以每年5.30%的年利率半年付息。票據是無抵押的優先債務,受花旗集團信用風險的影響,不屬於銀行存款,也未獲得任何政府機構的保險。票據的定價日期定於2024年11月25日,原始發行日期爲2024年11月29日。花旗集團保留在指定贖回日期開始於2027年11月29日強制贖回票據的權利。票據將不會在任何證券交易所上市,發行人的附屬機構花旗環球市場將擔任承銷商。建議投資者仔細考慮伴隨的招股說明書和招股書中詳細描述的風險,包括可能提前贖回的風險,市場利率波動以及與花旗集團有關的信用風險。

譯文內容由第三人軟體翻譯。


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